15 definition

15. Change of Control Payment".........................................................
15. Covenant Defeasance"............................................................... 8.03 "DTC"............................................................................... 2.03 "Event of Default".................................................................. 6.01 "Excess Proceeds"................................................................... 4.10 "incur".............................................................................
15. Judgment Currency" 10.16 "Legal Holiday" 10.7 "mandatory sinking fund payment" 11.1 "Market Exchange Rate" 10.15 "New York Banking Day" 10.16 "optional sinking fund payment" 11.1 "Paying Agent"

More Definitions of 15

15. Month of Closing"............................................................................15 "Monthly Payment Deficit".....................................................................15 "Mortgage Loan Attributable Bond Value".......................................................15 "New York Agent"..............................................................................15 "New York Office".............................................................................15 "Non-Agency Certificate"......................................................................15 "Non-Disqualification Opinion"................................................................16 "Non-Scheduled Principal Amount"..............................................................16 "Officers' Certificate".......................................................................16 "Opinion of Counsel"..........................................................................16 "Optional Floating Rate Bond Redemption"......................................................16 "Outstanding".................................................................................16 "Overdue Bond"................................................................................17 "Overdue Bond Interest Rate"..................................................................17 "Owner Trustee"...............................................................................17 "Paying Agent"................................................................................17 "Payment Date"................................................................................17 "Payment Date Statement"......................................................................17 "Permitted Encumbrance".......................................................................17 "Permitted Transferee"........................................................................17 "Person"......................................................................................18 "Pooling and Servicing Agreement".............................................................18 "Predecessor Bonds"...........................................................................18 "Principal Distribution Amount"...............................................................18
15. New York Banking Day" 10.16 "optional sinking fund payment" 11.1 "Paying Agent"
15. Covenant Defeasance".............................................. 8.03 "Designated Senior Debt"........................................... 10.02 "DTC".............................................................. 2.03 "Event of Default"................................................. 6.01 "Excess Proceeds".................................................. 4.10 "incur"............................................................
15. Covenant Defeasance"............................................................... 8.03 "DTC"...............................................................................
15. New York Banking Day" 10.16 "optional sinking fund payment" 11.1 "Paying Agent" 2.4 "Registrar" 2.4 "Required Currency" 10.16 "Service Agent"
15. Covenant Defeasance"................................... 8.03 "DTC"................................................... 2.03 "Event of Default"...................................... 6.01 "incur".................................................
15. Business Day"........................................ 10.07 "Custodian"........................................... 6.01 "Depositary".......................................... 2.15 "Event of Default".................................... 6.01 "Legal Holiday"....................................... 10.07 "Paying Agent"........................................ 2.03 "Registrar"........................................... 2.03